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Course Name |
Investment Analysis and Portfolio Management
|
Code
|
Semester
|
Theory
(hour/week) |
Application/Lab
(hour/week) |
Local Credits
|
ECTS
|
BNK 127
|
Fall/Spring
|
3
|
0
|
3
|
5
|
Prerequisites |
None
|
|||||
Course Language |
Turkish
|
|||||
Course Type |
Elective
|
|||||
Course Level |
Short Cycle
|
|||||
Mode of Delivery | face to face | |||||
Teaching Methods and Techniques of the Course | - | |||||
National Occupation Classification | - | |||||
Course Coordinator | - | |||||
Course Lecturer(s) | ||||||
Assistant(s) | - |
Course Objectives | This course gives the related information to the students about the matters to be taken into consideration in making investment decisions and forming portfolio management. The aim of this course is having student able to evaluate the purposes and application process of investment tools in financial markets. |
Learning Outcomes |
The students who succeeded in this course;
|
Course Description | Students will learn basic concepts of investment analysis and portfolio management, also they will learn the methods of giving dynamic investment decisions based on the market conditions . |
|
Core Courses | |
Major Area Courses | ||
Supportive Courses |
X
|
|
Media and Management Skills Courses | ||
Transferable Skill Courses |
Week | Subjects | Related Preparation | Learning Outcome |
1 | Definition of Investment | Yatırım Analizi ve Portföy Yönetimi, Prof. Dr. Mehmet Baha KARAN, Gazi Kitabevi, 2013, ISBN: 6053447450. Chapter: 1 | |
2 | Basic Investment Concepts and Investment Decesion | Yatırım Analizi ve Portföy Yönetimi, Prof. Dr. Mehmet Baha KARAN, Gazi Kitabevi, 2013, ISBN: 6053447450. Chapter: 1 | |
3 | Markets and Exchanges | Yatırım Analizi ve Portföy Yönetimi, Prof. Dr. Mehmet Baha KARAN, Gazi Kitabevi, 2013, ISBN: 6053447450. Chapter: 2 | |
4 | Future Markets | Yatırım Analizi ve Portföy Yönetimi, Prof. Dr. Mehmet Baha KARAN, Gazi Kitabevi, 2013, ISBN: 6053447450. Chapter: 3 | |
5 | Time Value of Money | Yatırım Analizi ve Portföy Yönetimi, Prof. Dr. Mehmet Baha KARAN, Gazi Kitabevi, 2013, ISBN: 6053447450. Chapter: 4 | |
6 | Introduction to Portfolio Management | Yatırım Analizi ve Portföy Yönetimi, Prof. Dr. Mehmet Baha KARAN, Gazi Kitabevi, 2013, ISBN: 6053447450. Chapter: 5 | |
7 | Theories of Portfolio Management | Yatırım Analizi ve Portföy Yönetimi, Prof. Dr. Mehmet Baha KARAN, Gazi Kitabevi, 2013, ISBN: 6053447450. Chapter: 5 | |
8 | Midterm Exam | ||
9 | Tools of Investment | Yatırım Analizi ve Portföy Yönetimi, Prof. Dr. Mehmet Baha KARAN, Gazi Kitabevi, 2013, ISBN: 6053447450. Chapter: 6 | |
10 | Tools of Investment | Yatırım Analizi ve Portföy Yönetimi, Prof. Dr. Mehmet Baha KARAN, Gazi Kitabevi, 2013, ISBN: 6053447450. Chapter: 6 | |
11 | Sector of Portfolio Management and Firms | Yatırım Analizi ve Portföy Yönetimi, Prof. Dr. Mehmet Baha KARAN, Gazi Kitabevi, 2013, ISBN: 6053447450. Chapter: 7 | |
12 | Fundamental Analysis | Yatırım Analizi ve Portföy Yönetimi, Prof. Dr. Mehmet Baha KARAN, Gazi Kitabevi, 2013, ISBN: 6053447450. Chapter: 14 | |
13 | Fundamental Analysis | Yatırım Analizi ve Portföy Yönetimi, Prof. Dr. Mehmet Baha KARAN, Gazi Kitabevi, 2013, ISBN: 6053447450. Chapter: 14 | |
14 | Financial Statements Analysis | Yatırım Analizi ve Portföy Yönetimi, Prof. Dr. Mehmet Baha KARAN, Gazi Kitabevi, 2013, ISBN: 6053447450. Chapter: 15 | |
15 | Financial Statements Analysis | Yatırım Analizi ve Portföy Yönetimi, Prof. Dr. Mehmet Baha KARAN, Gazi Kitabevi, 2013, ISBN: 6053447450. Chapter: 15 | |
16 | Final Exam |
Course Notes/Textbooks | Yatırım Analizi ve Portföy Yönetimi, Prof. Dr. Mehmet Baha KARAN, Gazi Kitabevi, 2013, ISBN: 6053447450. |
Suggested Readings/Materials | - |
Semester Activities | Number | Weigthing |
Participation |
1
|
10
|
Laboratory / Application | ||
Field Work | ||
Quizzes / Studio Critiques | ||
Portfolio | ||
Homework / Assignments | ||
Presentation / Jury |
1
|
20
|
Project | ||
Seminar / Workshop | ||
Oral Exams | ||
Midterm |
1
|
30
|
Final Exam |
1
|
40
|
Total |
Weighting of Semester Activities on the Final Grade |
3
|
60
|
Weighting of End-of-Semester Activities on the Final Grade |
1
|
40
|
Total |
Semester Activities | Number | Duration (Hours) | Workload |
---|---|---|---|
Theoretical Course Hours (Including exam week: 16 x total hours) |
16
|
3
|
48
|
Laboratory / Application Hours (Including exam week: '.16.' x total hours) |
16
|
0
|
|
Study Hours Out of Class |
16
|
3
|
48
|
Field Work |
0
|
||
Quizzes / Studio Critiques |
0
|
||
Portfolio |
0
|
||
Homework / Assignments |
0
|
||
Presentation / Jury |
1
|
15
|
15
|
Project |
0
|
||
Seminar / Workshop |
0
|
||
Oral Exam |
0
|
||
Midterms |
1
|
15
|
15
|
Final Exam |
1
|
24
|
24
|
Total |
150
|
#
|
PC Sub | Program Competencies/Outcomes |
* Contribution Level
|
||||
1
|
2
|
3
|
4
|
5
|
|||
1 |
To be able to develop themselves in the subjects of obtaining the financial resources necessary for the activities of individuals and enterprises under the most favorable conditions and examining the use of the accumulated funds. |
-
|
-
|
-
|
X
|
-
|
|
2 |
To be able to discuss the role, importance and functions of the institutions providing banking and insurance services in the economic system |
-
|
-
|
-
|
-
|
-
|
|
3 |
To be able to evaluate the organizational structure, business processes, and service portfolios of banks, insurance companies, and other financial institutions operating in the sector. |
-
|
-
|
X
|
-
|
-
|
|
4 |
To be able to develop skills in identifying, measuring, and assessing financial and operational risks, and to acquire fundamental knowledge to understand and apply insurance products against these risks. |
-
|
-
|
-
|
-
|
X
|
|
5 |
To be able to recognize financial products offered in the banking and insurance sector, and to gain skills in effective marketing and sales, as well as managing long-term customer relationships. |
-
|
-
|
-
|
-
|
-
|
|
6 |
To be able to possess basic legal knowledge and closely monitor legislative changes relevant to the field. |
-
|
-
|
-
|
-
|
-
|
|
7 |
To be able to possess basic knowledge of accounting and analyze financial statements to evaluate the financial status of businesses. |
-
|
-
|
-
|
-
|
-
|
|
8 |
To be able to follow technological innovations in the financial sector and acquire knowledge about the role of blockchain and artificial intelligence applications in the industry. |
-
|
-
|
-
|
-
|
-
|
|
9 |
To be able to make decisions based on the principles of professional ethics, accountability and responsibility |
-
|
-
|
-
|
-
|
-
|
|
10 |
To be able to follow international financial markets and global economic indicators by using English at least at the A2 level of the "European Language Portfolio" |
-
|
-
|
-
|
-
|
-
|
|
11 |
To be able to analyze and interpret banking and insurance data, and to develop data-driven strategies for financial decision-making. |
-
|
-
|
-
|
-
|
-
|
|
12 |
To be able to acquire knowledge about the components of national and international systems and the implementation of sector policies. |
-
|
-
|
-
|
-
|
-
|
|
13 |
To be able to direct his/her education to a further level of education |
-
|
-
|
-
|
-
|
-
|
*1 Lowest, 2 Low, 3 Average, 4 High, 5 Highest
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